Welcome to my website! I am a Postdoctoral Researcher at Sapienza University of Rome, Department of Economics and Law.
Previously, I was a postdoctoral researcher at Aix-Marseille School of Economics. I hold a PhD in Finance and Econometrics from Warwick Business School.
My research focuses on the interactions between business cycle fluctuations, asset prices and heterogeneity in households' financial portfolios.
Primary: Macro-Finance, Asset Pricing
Secondary: Household Finance, Monetary Economics
News:
[May 2026] Revised WP: "Fiscal Sustainability when Public Debt is High: The Role of Portfolio Liquidity"
[March 2026] Revised WP: "Asset Market Participation, Redistribution, and Asset Pricing"
[February 2026] New CEPR DP: "The Variety-Effect Multiplier: On the Transmission of Uncertainty Shocks"